Funds performance

fund name 1 mth 3 mthsort icon 12 mth ytd Inception Net assets Return Date
Parvest Convertible Bond Europe X -0.21% 4.01% 12.36% 11.76% 2.72% 276716689 2012-09-30
AXA WF Euro Government Bonds IC 1.01% 4.01% 6.34% 4.01% 5.00% 166610096 2014-03-31
Torrus ML Commodity Enhanced Beta I $ 1.55% 4.01% -3.10% 4.01% 3.51% 130524227 2014-03-31
Revontuli 1.56% 4.01% 15.73% 4.01% 24.06% 2014-03-31
JB EF Black Sea-CHF C 5.22% 4.02% 9.23% 4.97% -17.59% 26443312 2013-10-31
TAM Inv Fund Multi Cap Equity I -0.84% 4.02% 6.78% 9.50% 6.21% 2012-10-31
Lyxor Selection Fund AB Equity I2 EUR -1.10% 4.02% 17.80% -1.10% 13.59% 4943159 2014-01-31
Torrus ML Commodity Enh Beta Super Ins € 1.56% 4.02% -3.18% 4.02% -1.23% 94703158 2014-03-31
Franklin GCC Bond I Acc $ 0.84% 4.02% 0.00% 4.02% 8.60% 9694567 2014-03-31
Parvest Equity Turkey P D 14.56% 4.02% 0.00% 4.02% -19.67% 83086272 2014-03-31
Parvest Bond World Emerg P D 1.56% 4.02% -1.13% 4.02% -1.95% 412124398 2014-03-31
db x-trackers DB CB Lt Engy Bench 1C 1.40% 4.03% -3.64% 4.03% 1.64% 20222581 2014-03-31
ING (L) Invest Euro Hi Dividend V EUR 0.85% 4.03% 29.68% 4.03% 12.03% 756719357 2014-03-31
Allianz Euro Bond Fund I EUR 0.79% 4.03% 4.99% 4.03% 5.18% 670329130 2014-03-31
Barclays Port SICAV GlobalBeta 4 I£ Inc 0.68% 4.03% 0.00% 0.00% 3.48% 93595492 2013-12-31
Structura US High Yield Bond I3 AUD Dis 1.32% 4.03% 10.78% 7.28% 7.04% 2012-04-30
Pictet EUR High Yield-I 0.81% 4.03% 11.53% 9.23% 7.05% 763347439 2013-11-30
JPM Emerging Markets Bd X (acc)-GBP 1.91% 4.03% 0.55% 4.03% 8.06% 240433106 2014-03-31
Parvest Equity Turkey P C 14.56% 4.03% -34.53% 4.03% -3.12% 83086272 2014-03-31
BlackRock Agriculture Fund 1.09% 4.04% -8.13% 8.15% 0.39% 2012-04-30
BGF Euro-Markets I2 EUR Acc 0.04% 4.04% 26.61% 4.04% 12.90% 4294967295 2014-03-31
Pictet EUR High Yield HI-USD 0.81% 4.04% 11.65% 9.30% 13.76% 1039331535 2013-11-30
Torrus ML Commodity Enh Beta Super Ins $ 1.56% 4.04% -2.94% 4.04% -0.50% 130524227 2014-03-31
Torrus ML Commodity Enh Beta Super Ins £ 1.55% 4.04% -2.90% 4.04% -3.62% 78292347 2014-03-31
Torrus ML Commodity Enhanced Beta I £ 1.55% 4.04% -2.99% 4.04% -4.46% 78292347 2014-03-31
LIS Mixed 2 -0.34% 4.04% 7.23% 4.04% 4.60% 2014-03-31
UBS (Lux) EF Taiwan (USD) I-A1 2.89% 4.04% 8.29% 4.04% 9.41% 72369733 2014-03-31
AC Risk Parity 12 Fund 2.25% 4.05% 7.75% 1.53% 9.45% 2013-04-30
GS Gr & Em Mkts Debt IO Acc 1.68% 4.05% 0.95% 4.05% 8.71% 2836966174 2014-03-31
GS Gr & Em Mkts Debt IO Inc 1.69% 4.05% 1.01% 4.05% 8.98% 2836966174 2014-03-31

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai